Fund Research for American Funds Bond Fund of Amer C (BFACX)

  • Fund Overview

    Fund Inception Date: Mar 15, 2001
    Category: Intermediate-Term Bond
    Overall Risk: Above Average
    Fund Family: American Funds
    Return Since Inception: 3.67%
    YTD Return: 15.25%
    Yield (TTM): 4.75%
    Net Assets: 3.21 B
    Morningstar Rating:
    1 of 5
    The investment seeks to provide as high a level of current income as is consistent with the preservation of capital. The fund normally invests at least 80% of assets in bonds and other debt securities. It invests a majority of its assets in debt securities rated A and above, including securities issued and guaranteed by the U.S. and other governments, and securities backed by mortgages and other assets. The fund currently does not invest more than 15% of its assets in debt securities rated Ba and BB or below or in debt securities that are unrated but determined to be of equivalent quality.

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    Details
    Average Eff Duration 4.19 Yrs
    Average Eff Maturity
    Average Credit Quality AA
    Morningstar Rating as of 10/31/2009
    YTD Returns as of 11/30/2009
    Style Box Detail calculations do not include the fund's short positions (if any)
  • Fund Performance

    10 year Growth Chart
    Growth of $10,000 from 03/31/2001 to 10/31/2009
    Mouseover the chart to see values for each month.

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    Total Annualized Returns

    YTD 1 year 3 year 5 year 10 year Since Inception
    Fund 15.25% 18.65% 0.78% 2.03% 4.14% 3.67%
    +/- Category 0.27% -0.34% -3.75% -2.15% -1.33%
    +/- Barclays US Aggregate Bond TR USD 6.31%

    Standardized Annual Returns

    YTD 1 year 3 year 5 year 10 year Since Inception
    Month (as of 10/31/2009) 12.84% 14.92% 0.84% 1.77% 4.14% 3.67%
    Quarter (as of 09/30/2009) 11.95% 6.55% 0.84% 1.79% 3.61%
  • Fund Portfolio Profile

    Sector Breakdown

    Stocks
    US Government 28.85%
    Mortgage 21.68%
    Credit 30.00%
    Foreign 14.48%
    Cash 3.69%
    Bond Quality
    AAA 58.66%
    AA 4.38%
    A 12.47%
    BBB 16.55%
    BB 2.68%
    B 2.79%
    Below B 2.47%
    Not Rated 0.00%

    Asset Allocation

    Short Long Net Assets
    Cash 3.69% 3.69%
    Stocks 0.00% 0.00%
    Bonds 94.90% 94.90%
    Other 0.18% 0.18%
    Foreign Stocks
    (as a % of assets)
    0.00% 0.00%
    Data as of 09/30/2009 Data as of 09/30/2009 View Fund Portfolio

    Top 10 Holdings

    Maturity Date Total Holdings Value of Holdings Net Assets
    + US Treasury Note 02/15/2019 717.08 M 671.71 M 1.77%
    + US Treasury Note 3.5% 02/15/2018 658.87 M 662.27 M 1.74%
    + US Treasury Note 11/15/2011 652.13 M 659.13 M 1.74%
    = US Treasury Note 4.25% 08/15/2013 604.04 M 653.3 M 1.72%
    + US Treasury Note 11/15/2018 605.08 M 615.62 M 1.62%
    * United States Treas Nts 01/31/2014 550.09 M 534.68 M 1.41%
    * US Treasury Note 3.125% 05/15/2019 363.09 M 351.15 M 0.92%
    * US Treasury Note 2.625% 04/30/2016 349 M 337.51 M 0.89%
    = US Treasury Note 4.625% 12/31/2011 290.4 M 313.97 M 0.83%
    * US Treasury Note 2.25% 05/31/2014 282.5 M 278.75 M 0.73%
    + Increase - Decrease = No change * New since last portfolio
    Data as of 06/30/2009
    Top 10 holdings account for the fund's short positions (if any). Net short positions appear shaded.

  • Sales Information

    Sales Charge %

    Initial
    Deferred 1.00%
    Taken from prospectus dated 07/29/2009
    Expense Ratio (based on net assets) 1.41%
    Taken from annual report dated 12/31/2008

  • Fund Management